Pr. Lesson 13
Pr. Lesson 13
Pr. Lesson 13
Basic Concept
Standard Deviation – shows the extent of the difference of the data from the mean. An
examination of this gap between the mean and the data gives you an idea about the extent of
the similarities and differences between the respondents. There are mathematical
operations that you have to do to determine the standard deviation. These are as follows:
Step 1. Compute the mean
Step 2. Compute the deviation (difference) between each respondent’s answer (data item) and the
mean. The plus sign(+) appears before the number if the difference is higher; the negative sign (-)
appears if the difference is lower.
Step 3. Compute the square of each deviation.
Step 4. Compute the sums by adding the squared figures.
Step 5. Divide the sum of squares by the number of data items to get the variance.
Step 6. Compute the square root of variance figure to get the standard deviation.
Example:
Standard deviation of the category of data collected from selected faculty members of one university.
(Step 1) Mean: 7
(Step 2) (Step 3) total: 321
Data item Deviation Square of Deviation (Step 4) Sum of squares: 321
1 -8 68 (Step 5) Variance = 36 (321÷9)
2 -5 25 (Step 6) Standard deviation -6 (square root of 6)
6 -1 1
6 -1 1
8 +8 1
6 -1 1
6 -1 1
14 +7 49
16 +9 81
2. Advanced Quantitative Analytical Methods
An analysis of quantitative data that involves the use of more complex statistical methods needing
computer software like the SPSS, Stata, or Minitab, among others, occurs among graduate-level
students taking their MA or PhD degrees. Some of the advanced methods of quantitative data analysis
are the following (Argyrous, 2011; Goodwin, 2014; Levin& Fox, 2014):
a. Correlation – uses statistical analysis to yield results that describe the relationship of two
variables. The results, however, are incapable of establishing causal relationships.
b. Analysis of variance (ANOVA) – the results of this statistical analysis are used to determine if
the difference in the means or averages off two categories of data are statistically significant.
Example: If the mean of the grades of the student attending tutorial lessons is significantly
different from the mean of the grades of a student not attending tutorial lessons.
c. Regression – has some similarities with correlation, in that it also shows the nature of
relationship of variables but gives a more extensive result than that of correlation. Aside from
indicating the presence of relationship between two variables, it determines whether a variable
is capable of predicting the strength of the relation between the treatment (independent variable)
and the outcome (dependent variable). Just like correlation, regression is incapable of establishing
cause-effect relationships.
Example: If reviewing with music (treatment variable) is a statistically significant of there
extent of the concept learning (outcome variable) of a person.